United States v. Michalek

819 F. Supp. 250, 1993 U.S. Dist. LEXIS 15831, 1993 WL 105394
CourtDistrict Court, W.D. New York
DecidedFebruary 12, 1993
Docket1:90-cr-00159
StatusPublished
Cited by5 cases

This text of 819 F. Supp. 250 (United States v. Michalek) is published on Counsel Stack Legal Research, covering District Court, W.D. New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
United States v. Michalek, 819 F. Supp. 250, 1993 U.S. Dist. LEXIS 15831, 1993 WL 105394 (W.D.N.Y. 1993).

Opinion

DECISION AND ORDER

ARCARA, District Judge.

INTRODUCTION

Presently before the Court is defendant James J. Michalek’s motion for reconsideration of an Order of this Court dated October 30,1992, [hereinafter “October Order”]. The Court held, in the October Order, that defendant had waived his right to file objections to the Presentence Report (“PSR”) by failing to timely file such objections, and that even had he not waived the right, the amount of loss sustained by the victim banks was properly calculated in the PSR.

To the extent defendant’s motion seeks reconsideration of the waiver issue and the calculation of the amount of loss, it is granted. However, the Court notes that defendant also attempts to use his motion for reconsideration to raise additional factual objections to the PSR. These additional objections not having been addressed in the October Order, the issue before the Court is not reconsideration, but rather, whether the recommendations in the PSR should be adopted.

Upon reconsideration, and after reviewing the submissions of the parties and hearing argument from counsel, the Court affirms its decision in the October Order that defendant waived his right to object to the PSR and that the amount of loss was properly calculated at over $2 million. Despite this finding, however, the Court has considered defendant’s additional objections to the PSR, and after reviewing the submissions and hearing *257 argument, adopts the recommendations of the PSR en toto. 1

BACKGROUND

Defendant’s motion for reconsideration and his objections to the PSR must be considered and understood in the context of this case’s extensive and convoluted post-verdict procedural history. Defendant was charged with seven counts of submitting false statements to banks, (Counts I, II, III, IV, V, VI and VIII), and one count of mail fraud (Count VII). On December 20, 1991, following a five-week jury trial, defendant was found not guilty as to Counts I through IV, and guilty as to Counts V through VIII. Sentencing was scheduled for March 6, 1992, and defendant was released on a $10,000 signature bond over the government’s objection.

On January 2, 1992, defendant and one of his court-appointed attorneys, Patrick J. Brown, Esq., met with the Probation Department for the purpose of providing information relevant to its preparation of the PSR. On January 24, 1992, at the government’s request, the Court issued a warrant for defendant’s arrest as a result of information from the government that defendant had failed to appear for state criminal proceedings, and information from the Probation Department and his attorneys that they had been unable to contact him. The government’s information subsequently revealed that defendant had left the Western District of New York on January 10, 1992, on a USAir flight from Syracuse, New York to Baltimore, Maryland, and then to the Bahamas.

The Probation Department’s preparation of the PSR was completed on February 11, 1992, and on February 14, 1992, copies were sent to the government and defense counsel, and to defendant at his last known address. Attached to the PSR sent to defendant and his attorneys was a copy of the Local Procedural Guidelines to Govern Sentencing Procedures under the Sentencing Reform Act of 1984 in the Western District of New York (“Local Guidelines”), and a cover sheet warning of the possible implications of failing to timely comply with the Local Guidelines’ objection requirements.

The Probation Department calculated defendant’s offense level at 22 and his criminal history category at II, resulting in a guideline range of imprisonment of 46 to 57 months. In calculating defendant’s offense level, Counts V through VIII were grouped pursuant to United States Sentencing Guidelines (“U.S.S.G.”) § 3D1.2(d). A base offense level of 6 was given, pursuant to § 2Fl.l(a), for crimes involving fraud and deceit. That base offense level was increased, pursuant to § 2Fl.l(b)(l), based on the amount of loss involved. The Probation Department calculated the amount of loss at $2,208,000, which corresponded to a ten-level enhancement. § 2F1.l(b)(l)(K). Two-level upward adjustments were given for more than minimal planning pursuant to § 2Fl.l(b)(2)(A); for defendant’s role as organizer, leader, manager or supervisor in the criminal activity, pursuant to § 3Bl.l(c); and for obstruction of justice pursuant to § 3C1.1, for a total offense level of 22.

On February 21, 1992, Mr. Brown filed a statement regarding sentencing factors in which he indicated that it was not possible to set forth whether or not any dispute existed with respect to sentencing factors or facts material to sentencing because he had been unable to discuss the PSR with defendant, his whereabouts being unknown to Mr. Brown. Item No. 67. On March 6, 1992, defendant failed to appear for sentencing. He was ultimately apprehended in the State of Wyoming on May 1, 1992.

On July 6, 1992, defendant filed a motion for an extension of time to dispute sentencing factors. Item No. 78. The motion incorporated by reference an earlier memorandum of law, dated June 18, 1992, which, in part, addressed defendant’s request for an opportunity to object to the PSR. Item No. 74. The government filed an affidavit in opposition. Item No. 77. On July 7, 1992, the Court denied from the bench defendant’s motion to file untimely objections to the PSR, *258 finding that defendant had “fled the jurisdiction o[f] his own volition,” and had therefore voluntarily waived his right to file objections to the report’s factual findings. Nevertheless, the Court gave defendant an opportunity to supplement the record as to the amount of loss suffered by the victim banks.

On July 28 and 30,1992, defendant submitted affidavits of himself and Mr. Brown, which focused on the issue of amount of loss. Item Nos. 80, 81. Defendant filed a supplemental affidavit of himself with exhibits on September 3, 1992, Item No. 96, and on September 23, 1992, filed a motion for a hearing on the amount of loss. Item No. 98. The government filed affidavits in opposition to defendant’s motion for a hearing and in response to defendant’s submissions. Item Nos. 99, 100. On October 16, 1992, defendant filed an amended statement with respect to sentencing factors that noted objections not only to the calculation of loss, but also to the enhancement for obstruction of justice, and the alleged duplication of enhancements for more than minimal planning and role in the offense. Item No. 104.

The Court filed the October Order on October 30, 1992, denying defendant’s motion for a hearing on the amount of loss. The Court ruled that defendant had voluntarily waived his right to file objections to such factual findings of the PSR due to his failure to timely file ány such objections. The Court also found that even had defendant not waived his right to object, the Court would have found, based on the affidavit and exhibits submitted by the government, that the amount of loss was in excess of $2,000,000. The Court adopted the recommendation of the Probation Department that defendant’s offense level be calculated at level 22. Item No. 106.

On November 4, 1992, defendant filed the instant motion for reconsideration of the October Order, with accompanying memorandum of law. Item Nos. 109,110.

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819 F. Supp. 250, 1993 U.S. Dist. LEXIS 15831, 1993 WL 105394, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-michalek-nywd-1993.